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Information pertaining to Non-Convertible Debt Securities

First Issue


NCD 25.07.2022NCD 02.07.2022NCD 31.03.2022NCD 07.03.2022NCD 31.01.2022NCD 04.01.2022NCD 24.11.2021NCD 13.10.2021NCD 01.10.2021NCD 14.08.2021NCD 13.08.2021NCD 09.07.2021NCD 16.06.2021NCD 26.05.2021NCD 27.04.2021NCD 17.03.2021NCD 25.02.2021NCD 15.02.2021NCD 22.01.2021NCD 22.12.2020NCD 10.12.2020NCD 23.11.2020NCD 18.11.2020NCD 09.11.2020NCD 22.10.2020NCD 08.09.2020NCD 22.06.2020NCD 17.06.2020NCD 15.06.2020

Second Issue


NCD 27.09.2023NCD 19.09.2023NCD 11.09.2023NCD 02.09.2023NCD 22.08.2023NCD 17.08.2023NCD 05.08.2023NCD 27.07.2023NCD 13.07.2023NCD 30.06.2023NCD 19.06.2023NCD 12.05.2023NCD 14.04.2023NCD 07.03.2023NCD 08.02.2023NCD 26.12.2022NCD 05.12.2022NCD 07.11.2022NCD 13.10.2022

Third Issue


NCD 12.02.2025NCD 13.01.2025NCD 09.01.2025NCD 21.12.2024NCD 12.11.2024NCD 15.10.2024NCD 24.09.2024NCD 12.09.2024NCD 16.08.2024NCD 27.06.2024NCD 08.06.2024NCD 07.05.2024NCD 16.04.2024NCD 01.04.2024

Fourth Issue


NCD 27.10.2025NCD 17.10.2025NCD 26.09.2025NCD 23.09.2025NCD 28.08.2025NCD 11.08.2025NCD 16.07.2025NCD 04.07.2025NCD 28.06.2025NCD 14.06.2025NCD 13.06.2025NCD 09.05.2025NCD 03.05.2025

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